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Strategy Spotlight Income Fund Update: Poised for Resilience and Potential Price Appreciation Income Fund Update: Poised for Resilience and Potential Price Appreciation We see meaningful value in high quality, more liquid bonds that offer compelling yields and potential price appreciation should the economy weaken.
Strategy Spotlight Income Fund Update: A New Bond Cycle Is Dawning Income Fund Update: A New Bond Cycle Is Dawning We believe fixed income markets offer higher yields and better valuations than in years, and we’ve positioned the Income portfolio to further benefit amid potential for volatility and a weakening economy.
Strategy Spotlight Income Fund Update: Focused on Finding Opportunities in Today’s Markets Income Fund Update: Focused on Finding Opportunities in Today’s Markets Looking across the global opportunity set, we see potential for attractive yield, though uncertainties surrounding the global recovery suggest this is a time to be cautious.
Strategy Spotlight Income Fund Update: Focusing on Flexibility and Opportunity in a New Decade Income Fund Update: Focusing on Flexibility and Opportunity in a New Decade We are taking a responsible approach to generating income, not the typical trade-off of more corporate credit risk in exchange for a higher dividend rate.
Strategy Spotlight Income Fund Update: Taking a Patient Approach as Growth Slows Income Fund Update: Taking a Patient Approach as Growth Slows With global growth slowing and significant uncertainty around trade and politics, PIMCO’s Income Fund is taking the long-term view and positioning defensively.
Joshua Anderson Portfolio Manager, Asset-Backed Securities Share Share Share via LinkedIn Share via Facebook Share via Twitter Share via Email Add Add Download Download Print Print Mr. Anderson is a managing director and portfolio manager on the income team in the Newport Beach office. He also leads the global ABS (asset-backed securities) portfolio management team and supports the firm's opportunistic strategies. Previously at PIMCO, he oversaw PIMCO's European opportunistic investments across public and private mortgage, real estate and specialty finance markets, and earlier he was a structured product portfolio manager in the Newport Beach office. Prior to joining PIMCO in 2003, he was an analyst at Merrill Lynch covering both the residential ABS and collateralized debt obligation sectors and was ranked as one of the top analysts by Institutional Investor magazine. He was previously a portfolio manager at Merrill Lynch Investment Managers. He has 29 years of investment experience and holds an MBA from the State University of New York, Buffalo.